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[Dependency Information]
Object Name: | IGI_CIS_INVOICE_PAYMENTS |
---|---|
Object Type: | VIEW |
Owner: | APPS |
FND Design Data: | ![]() |
Subobject Name: | |
Status: | VALID |
A supplementary view used to simplify forms coding.
Warning: Oracle does not recommend you query or alter datausing this view. It may change dramatically in subsequent minor or major
releases.
Name | Datatype | Length | Mandatory | Comments |
---|---|---|---|---|
ACCOUNTING_EVENT_ID | NUMBER | (15) | Accounting Event identifier | |
ACCOUNTING_DATE | DATE | Yes | Accounting Date | |
ACCRUAL_POSTED_FLAG | VARCHAR2 | (1) | Flag that indicates if the payment has been accounted in Accrual Set of Books (Y or N ) | |
AMOUNT | NUMBER | Yes | Payment Amount | |
CASH_POSTED_FLAG | VARCHAR2 | (1) | Flag that indicates if the payment has been accounted in Cash Set of Books (Y or N ) | |
CHECK_ID | NUMBER | (15) | Yes | Payment identifier |
INVOICE_ID | NUMBER | (15) | Yes | Invoice identifier |
INVOICE_PAYMENT_ID | NUMBER | (15) | Yes | Invoice Payment identifier |
LAST_UPDATED_BY | NUMBER | (15) | Yes | Standard who column - user who last updated this row (foreign key to FND_USER.USER_ID). |
LAST_UPDATE_DATE | DATE | Yes | Standard Who column - date when a user last updated this row. | |
PAYMENT_NUM | NUMBER | (15) | Yes | Payment Number |
PERIOD_NAME | VARCHAR2 | (15) | Yes | Period Name |
POSTED_FLAG | VARCHAR2 | (1) | Yes | Flag that indicates if the payment has been accounted (Y or N) |
SET_OF_BOOKS_ID | NUMBER | (15) | Yes | Set of Books identifier |
ACCTS_PAY_CODE_COMBINATION_ID | NUMBER | (15) | Accounting Flexfield identifier for Accounts Payables Liability account. | |
ASSET_CODE_COMBINATION_ID | NUMBER | (15) | Accounting Flexfield identifier for cash account. | |
CREATED_BY | NUMBER | (15) | Standard who column - user who created this row (foreign key to FND_USER.USER_ID). | |
CREATION_DATE | DATE | Standard who column - date when this row was created. | ||
LAST_UPDATE_LOGIN | NUMBER | (15) | Standard who column - operating system login of user who last updated this row (foreign key to FND_LOGINS.LOGIN_ID). | |
BANK_ACCOUNT_NUM | VARCHAR2 | (30) | Bank Account Number | |
BANK_ACCOUNT_TYPE | VARCHAR2 | (25) | Bank Account Type code | |
BANK_NUM | VARCHAR2 | (25) | Bank Number | |
DISCOUNT_LOST | NUMBER | Amount of discount lost | ||
DISCOUNT_TAKEN | NUMBER | Amount of discount taken | ||
EXCHANGE_DATE | DATE | Date for which Exchange Rate is obtained from daily rates table | ||
EXCHANGE_RATE | NUMBER | Exchange Rate for a foreign currency payment | ||
EXCHANGE_RATE_TYPE | VARCHAR2 | (30) | Exchange Rate Type for a foreign currency payment | |
GAIN_CODE_COMBINATION_ID | NUMBER | (15) | Accounting Flexfield identifier for account to which realized exchange rate gains are posted | |
INVOICE_BASE_AMOUNT | NUMBER | Payment amount in functional currency at invoice's exchange rate, only used for foreign currency invoice payments | ||
LOSS_CODE_COMBINATION_ID | NUMBER | (15) | Accounting Flexfield identifier for account to which realized exchange rate losses are posted | |
PAYMENT_BASE_AMOUNT | NUMBER | Payment amount at payment's exchange rate, only used for foreign currency invoice payments | ||
ATTRIBUTE1 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE10 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE11 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE12 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE13 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE14 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE15 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE2 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE3 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE4 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE5 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE6 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE7 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE8 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE9 | VARCHAR2 | (150) | Descriptive flexfield segment | |
ATTRIBUTE_CATEGORY | VARCHAR2 | (150) | Descriptive flexfield structure definition column. | |
CASH_JE_BATCH_ID | NUMBER | (15) | No longer used | |
FUTURE_PAY_CODE_COMBINATION_ID | NUMBER | (15) | No longer used | |
FUTURE_PAY_POSTED_FLAG | VARCHAR2 | (1) | No longer used | |
JE_BATCH_ID | NUMBER | (15) | No longer used | |
ELECTRONIC_TRANSFER_ID | NUMBER | (15) | No longer used | |
ASSETS_ADDITION_FLAG | VARCHAR2 | (1) | Flag that indicates if discounts on invoice payment have been transferred into Oracle Assets (U, Y or N) | |
INVOICE_PAYMENT_TYPE | VARCHAR2 | (25) | Creation method of a payment, used by Positive Pay feature (Single or Batch) | |
OTHER_INVOICE_ID | NUMBER | (15) | No longer used | |
ORG_ID | NUMBER | (15) | Organization identifier | |
GLOBAL_ATTRIBUTE_CATEGORY | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE1 | VARCHAR2 | (150) | ||
GLOBAL_ATTRIBUTE2 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE3 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE4 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE5 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE6 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE7 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE8 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE9 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE10 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE11 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE12 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE13 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE14 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE15 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE16 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE17 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE18 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE19 | VARCHAR2 | (150) | Reserved for country specific functionality | |
GLOBAL_ATTRIBUTE20 | VARCHAR2 | (150) | Reserved for country specific functionality | |
EXTERNAL_BANK_ACCOUNT_ID | NUMBER | (15) | External Bank Account identifier | |
MRC_EXCHANGE_DATE | VARCHAR2 | (2000) | Concatenated string of reporting Set of Books identifier and currency conversion date pairs, for Multiple Reporting Currencies only | |
MRC_EXCHANGE_RATE | VARCHAR2 | (2000) | Concatenated string of reporting Set of Books identifier and currency conversion rate pairs, for Multiple Reporting Currencies only | |
MRC_EXCHANGE_RATE_TYPE | VARCHAR2 | (2000) | Concatenated string of reporting Set of Books identifier and currency conversion rate type pairs, for Multiple Reporting Currencies only | |
MRC_GAIN_CODE_COMBINATION_ID | VARCHAR2 | (2000) | Concatenated string of reporting Set of Books identifier and Accounting Flexfield identifier for account to which realized gains are posted pairs, for Multiple Reporting Currencies only | |
MRC_INVOICE_BASE_AMOUNT | VARCHAR2 | (2000) | Concatenated string of reporting Set of Books identifier and invoice payment amount in primary currency pairs, for Multiple Reporting Currencies only. This is only applicable to foreign currency invoices. | |
MRC_LOSS_CODE_COMBINATION_ID | VARCHAR2 | (2000) | Concatenated string of reporting Set of Books identifier and Accounting Flexfield identifier for account to which realized losses are posted pairs, for Multiple Reporting Currencies only | |
MRC_PAYMENT_BASE_AMOUNT | VARCHAR2 | (2000) | Concatenated string of reporting Set of Books identifier and payment amount in primary currency pairs, for Multiple Reporting Currencies only. This is only applicable to foreign currency invoices. | |
REVERSAL_FLAG | VARCHAR2 | (1) | Flag that indicates whether current invoice payment is a reversal of another invoice payment | |
REVERSAL_INV_PMT_ID | NUMBER | (15) | Identifier for invoice payment reversed through current invoice payment | |
ROW_ID | VARCHAR2 | (30) | Payment Voucher record identifier | |
PMT_VCH_NUMBER | VARCHAR2 | (15) | Payment Voucher Number | |
PMT_VCH_AMOUNT | NUMBER | Payment Voucher Amount | ||
PMT_VCH_RECEIVED_DATE | DATE | Payment Voucher Received date | ||
PMT_VCH_DESCRIPTION | VARCHAR2 | (240) | Payment Voucher Description |
Cut, paste (and edit) the following text to query this object:
SELECT ACCOUNTING_EVENT_ID
, ACCOUNTING_DATE
, ACCRUAL_POSTED_FLAG
, AMOUNT
, CASH_POSTED_FLAG
, CHECK_ID
, INVOICE_ID
, INVOICE_PAYMENT_ID
, LAST_UPDATED_BY
, LAST_UPDATE_DATE
, PAYMENT_NUM
, PERIOD_NAME
, POSTED_FLAG
, SET_OF_BOOKS_ID
, ACCTS_PAY_CODE_COMBINATION_ID
, ASSET_CODE_COMBINATION_ID
, CREATED_BY
, CREATION_DATE
, LAST_UPDATE_LOGIN
, BANK_ACCOUNT_NUM
, BANK_ACCOUNT_TYPE
, BANK_NUM
, DISCOUNT_LOST
, DISCOUNT_TAKEN
, EXCHANGE_DATE
, EXCHANGE_RATE
, EXCHANGE_RATE_TYPE
, GAIN_CODE_COMBINATION_ID
, INVOICE_BASE_AMOUNT
, LOSS_CODE_COMBINATION_ID
, PAYMENT_BASE_AMOUNT
, ATTRIBUTE1
, ATTRIBUTE10
, ATTRIBUTE11
, ATTRIBUTE12
, ATTRIBUTE13
, ATTRIBUTE14
, ATTRIBUTE15
, ATTRIBUTE2
, ATTRIBUTE3
, ATTRIBUTE4
, ATTRIBUTE5
, ATTRIBUTE6
, ATTRIBUTE7
, ATTRIBUTE8
, ATTRIBUTE9
, ATTRIBUTE_CATEGORY
, CASH_JE_BATCH_ID
, FUTURE_PAY_CODE_COMBINATION_ID
, FUTURE_PAY_POSTED_FLAG
, JE_BATCH_ID
, ELECTRONIC_TRANSFER_ID
, ASSETS_ADDITION_FLAG
, INVOICE_PAYMENT_TYPE
, OTHER_INVOICE_ID
, ORG_ID
, GLOBAL_ATTRIBUTE_CATEGORY
, GLOBAL_ATTRIBUTE1
, GLOBAL_ATTRIBUTE2
, GLOBAL_ATTRIBUTE3
, GLOBAL_ATTRIBUTE4
, GLOBAL_ATTRIBUTE5
, GLOBAL_ATTRIBUTE6
, GLOBAL_ATTRIBUTE7
, GLOBAL_ATTRIBUTE8
, GLOBAL_ATTRIBUTE9
, GLOBAL_ATTRIBUTE10
, GLOBAL_ATTRIBUTE11
, GLOBAL_ATTRIBUTE12
, GLOBAL_ATTRIBUTE13
, GLOBAL_ATTRIBUTE14
, GLOBAL_ATTRIBUTE15
, GLOBAL_ATTRIBUTE16
, GLOBAL_ATTRIBUTE17
, GLOBAL_ATTRIBUTE18
, GLOBAL_ATTRIBUTE19
, GLOBAL_ATTRIBUTE20
, EXTERNAL_BANK_ACCOUNT_ID
, MRC_EXCHANGE_DATE
, MRC_EXCHANGE_RATE
, MRC_EXCHANGE_RATE_TYPE
, MRC_GAIN_CODE_COMBINATION_ID
, MRC_INVOICE_BASE_AMOUNT
, MRC_LOSS_CODE_COMBINATION_ID
, MRC_PAYMENT_BASE_AMOUNT
, REVERSAL_FLAG
, REVERSAL_INV_PMT_ID
, ROW_ID
, PMT_VCH_NUMBER
, PMT_VCH_AMOUNT
, PMT_VCH_RECEIVED_DATE
, PMT_VCH_DESCRIPTION
FROM APPS.IGI_CIS_INVOICE_PAYMENTS;
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